Winnie Gilmore joined Credit Suisse in 2017 as the Regulatory Development Compliance Officer for the U.S. Financial Crime Compliance team. She is responsible for the analysis and review of US financial crime related rules and regulations impacting the Bank’s Global Markets, Investment Bank Capital Markets and International Wealth Management businesses. Winnie began her securities career with the New York Stock Exchange Inc.’s Division of Enforcement. She went on to join what was then Citigroup’s retail brokerage division, Smith Barney Inc., taking on various regulatory development roles. Her most recent role at Citi involved global regulatory policy development at Citi’s Private Bank. Winnie received her JD from Hofstra University School of Law and a BA from the State University of New York at Albany. She holds a Series 7 license.